Recent Annual Filings for IPG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $18,325,800,000 $10,691,700,000 $9,642,600,000 $547,800,000 $1,055,200,000 $-1,019,900,000 $-198,700,000
2023 $19,267,300,000 $10,889,300,000 $9,481,300,000 $1,165,400,000 $554,700,000 $-634,300,000 $-158,000,000
2022 $18,845,000,000 $10,927,800,000 $9,658,900,000 $888,300,000 $608,800,000 $-899,400,000 $-719,100,000
2021 $19,909,200,000 $10,240,700,000 $9,018,600,000 $957,300,000 $2,075,600,000 $-1,084,200,000 $760,700,000
2020 $18,042,700,000 $9,061,000,000 $8,699,700,000 $403,300,000 $1,847,200,000 $-346,200,000 $1,315,800,000
2019 $17,751,900,000 $10,221,300,000 $9,343,000,000 $684,300,000 $1,529,200,000 $-843,000,000 $518,500,000
2018 $15,620,300,000 $9,714,400,000 $8,876,400,000 $521,600,000 $565,100,000 $1,853,200,000 $-120,500,000
2017 $12,695,200,000 $7,882,400,000 $7,006,400,000 $731,600,000 $881,800,000 $-1,004,900,000 $-302,500,000